SRP looked at the outstanding volumes for structured products issued via the Luxembourg domiciled vehicles of Natixis in the first half of 2025.
Natixis Structured Issuance Natixis Structured Issuance (NSI) reported an aggregate outstanding nominal value of notes, bonds, certificates and derivatives the equivalent of €12.6 billion (US$14.7 billion) as of 30 June 2025. Activities reached a steady state end-June 2025 with the trend of activity remaining stable in the third quarter of 2025, NSI stated. As of 30 June 2025, the outstanding for notes under its English law debt issuance programme and UK debt issuance programme, was &eur